Company registration nurnber- 13656523
Charity registration nurnber.. 1204040
NEW GLORY MINISTRY
TRVSTEES. REPORT AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 ocfoBER 2025
Finsbury Robinson Ltrf
237 Westcombe Hill
London
SE3 7DW

New Glory Ministry
Contents
Page
Reference and Administrdtive Detsils
Trustees, Report
Independent Exatniner's Report
Statement of Financial Activit￿ linduding Income and ExFenditure Account)
statement of Flnanclal POSS￿on
Notes to the Finoncial Ststement5
7-10
The following pages do not form part of the statutory accounts:
Detailed Ststement of Flnanclal Actlvitles Ilncwlng Income and Expendlture Accounti

New Glory Ministry
Reference and Administrative Details
For The Year Ended 31 October 2025
Trustees
Mi55 F D Kolawo
Mr5 M E Myrie (appointed 01101120251
Mi55 S F MyriÈ-Smith
Charlty Number
1204040
Company Number
13656523
Reglstered Orn¢e
12 Bndge Cb5e
Romford
RM7 OAU
Independent Examlner
Gemma Fogarty
Finsbury RObir￿On Ltd
237 Westcombe Hill
London
SE3 7DW
Bank•rA
Barclays Bank
I Churchill Place
London
E14 5HP
Page I

New Glory Ministry
Company No. 13656523
Trustees. Report For The Year Ended 31 October 2025
The trustees present their report and the financial statements for the year ended 31 Iktober 2025.
Objertlves and Artivities
Alms and Objectlves
To advance the Chrlstlan faith for the benefit of the public thmughout ENJland & Wales by provlding facilities for Christlan
orshlp and fello¥Yshlp, prayer. religious education. Christian beliets and prattices. outreach and pastoral care for the local
communlty.
The cha￿ty has adopted the followlng strategles for achlevlng the above oblethves..
Provision of Weekly Church Servi￿5 to minister to the phy5icoI, spiritual and material needs of the congregants.
Provision of services to individuals. families and community at lar9e. The service includes a wide ran9e of spiritual
and soclal care.
Provislon of spiritual, physScal and emotional support. homelhospltsl vislts to the sSck as well as cleanlng
and clearlng services to those In need Iskklelderlyl.
Supporting other charities.
Offering our 5ervice5 to anyone ITh need of spintual help through free pastoral guidance aThd prayer support on the
basis of our ability to provide appropriate hdp and regardles5 of race, colour. nationality. religion, gender. age, legal
Status and per5onol history.
The Board ol Trustees confirm that they have met their duties in strict compliance with the provislons of the Charities Act
2011, and have due regards to the Charity Commission's general guidance on public benefit. Particular conslderatlon has
been glven to the Charlty Commlsslon's supplementary publlc gUIdan￿ provislons on the advancement of rellglon for publSc
beneflt.
A¢hlev•ments Jnd Performance
Moln Achl•vem•nts
During the year, the charity's programmes and artivities were effectively planned, dellvered and evaluated to ensure they
continued to meet the needs cf beneficianes and provide meaningful impact.
The Cha￿tY undertook several outreach visits to vulThernble individuals, including eldedy and disabled members of the
communlty. Suppcrt provided Included assistsnce with household cleaning and trnnsportation to supermarkets and other
e5sentlal appointrnents for those who were unable to trnvel independendy.
In addltlon to practlcal support, the chadty contSnued to address the physlcal. ernotional, mental and splrltual wellbeing of
both existing and new mernbers through regular pastoral care, guidance and cornmunity engagement. The charity a150
oryanised day trips and educational excur5ion5 for young people, providing opportunities for recreation, social Interaction
and personal development.
Feedback and testimonials recelved from benefioanes were overwhelmingly positive and encouraging. Thls Is refiected In
the charity's steadily growing rnembe¥ship and contsnued engagernent from the wider community.
Fln•n¢i•l Revi
Flnanclal Posltlon
The Cha￿tY was able to ralse a total Income of £46.883 12023124.. £57.2431. Due to expend￿￿ of £50,143 12023124..
£61,737) thls resulted in a deftcit of £3.26012023124'. £4.4941 for the year.
Reserves Pollcy
It 15 the policy of the charity to m6int6in unre5tnrted fut￿5 which are the free reserves of the charity at a level which
equ4te5 t0 4t least I rnonth of unre5trirte(l expendrture. Thi5 provide5 5uffioent fut￿5 to cover rn4n4getnent and
adrnini5tration costs and to respond to ernergencies which rnay anse frorn tirne to titne. The trustees have Set thi5 as a
target and are ¥Yorking towards thi5 position to meet its financial obligation5. fund its atbvities and continuÈ to grow.
Page 2

New Glory Ministry
Trustees. Report (continued)
For The Year Ended 31 October 2025
Golng Concem
The trustees have reviewed the charity'5 fi[￿n[la1 posltion and are satisfied that the charity ha5 adequate resources to
continue operating for the foreseeable futuve. The finantial statements have thereftsrÈ been prepared on a 9olng concern
basis.
Rlsk Management
The trustee5 regularfy review the printipal risks Pdting the charity. Ind￿dIng finantial sustainability. safeguardlng, health
and safety ènd compliance svith charity and company law. Appropriate procedures and controls a￿ in place to mltigate
these risks.
structure Govemante and Managemeblt
Governlng Document
The Charitable company is constitrjted as a private compony limrted by guarantee and also governed by a Mernorandum and
Articles of Association.
Trustee Selectlon Methods
Trustees are èppointed by the Board of Trustees as and 4¥hert requ1￿￿. having to the skllls. experlence and
commltment needed to supw)rt the charity's objectives. Trustees a￿ apw*inted by Invltatlon a$ at when ￿qUIred and
dependlng on their expertise and reqUi￿rnents of the charity-
There a￿ no new trustees appointed during the year. All trustees give their bme volufitsrily ano receive no beneflts from
rhe chariry. Due to the narure ol Charity work. truMees appointed have been selecied on the basls of their faith. srrength of
charatter, skllls set in the area of bvsiness managemenr and growth and commitment to the vision of the charity.
Small Company Rul•s
Thls report has been prepared In accordance with the Special provisions relating to companles $ublert to the small companles
reglme within Part 15 of the Companies Art 2006.
The trustees. report was approved by the boaro of trustees a￿1 si9neO on its behjlf by..
Ml$s S F Myrie-smith
Trustee
30th June 2026
Page 3

New Glory Ministry
Independent Examiner's Report to the Trustees of New Glory Ministry
For The Year Ended 31 October 2025
I report to the charity trustees on my examination of the accounts of the Company for the year ended 31 October 2025.
Responsibilities and Basis of Report
As the tharity trustees of the Compèny land also its directors for the purp)ses tsf company lèv41. you are responslble for the
preparatSon of the accounts In attordance with the Teouirements of the Companies Att 20061-the 2006 Act-l.
Having satisfied tnyself that the accounts of the Cotnpany are not requireil to be audited under Part 16 of the 2006 Art and
are eligible for independent examination. I report in respert of my examination of your charity's accounts ès cèrried out under
sectlon 145 of the Charities Act 2011 I'the 2011 Art'l. Jn carrying out my examination I have follosyed the Dirertions glven by
the Charlty Commlsslon under sectlon 145151 Ibl or the 2011 Att.
Independent Examln•r's Statement
I have completed my examinatyon. I confirm that no motters have come to my attention in connection with the examination
giving rne cause to believe..
l. accounting records ¥Yere not kept in respett of the Company as wuired by sertion 386 OF the 2006 Att,. or
2. the accounts do not accord with those records., or
3. the accounts do not comply with the accounting reQui￿rnents of section 396 of the 2006 Act other than ony
requirement that the accounts give a ,tn￿ and fair view. which is not a matter considered as part of an Independent
examination.. or
4. the accounts have not been prepa￿ In accordarKe with the rnethods and principle5 of the Staternent of
Recommended Practice for accounting and rew*rtbng by charities applicable to charities preparing their accounts In
accordance with the Financial RetX)rting Standard applicable in the UK and Republic of Ireland IFRS 1021-
I have no concerns and have come across other matters In conThecbon with the eMaminatioTh to whlch attention should be
drawn in thls report In order to enable a proper uThJerstonding of the accounts to be reached.
Gemma Foga
3rd July 2026
237 Westcombe Hlll
London
SE3 7DW
FCA SAIFknBI
Page 4

New Glory Ministry
ststement of Financial Activities (including Income and Expenditure Account)
For The Year Ended 31 October 2025
2025
2024
Unrestricted Unrestricted
funds
funds
Notes
INCOME AND ENDOWMENTS FROM:
Donatyons and legacie5
Investrnents
46.881
57,242
46,883
57,243
EXPENDITURE ON:
Charitable acrivifies..
Religious attivities
150.143 1
161,737 1
NET ExpeNDITURE
13,2601
14,494 1
NET MOVEMENT IN FUNDS
RECONCILIATION OF FUNDS:
Total funds brought forward
13.260 1
14,494 1
6.532
11,026
TOTAL FUNDS CARIUED FORWARD
12
3,272
6,532
The note5 on page5 7 to 10 form part of these financial statements.
Page 5

New Glory Ministry
statement of Financial Position
As At 31 October 2025
2025
2024
Unrestrirted
tunds
Total
funds
Notes
FIXED ASSETS
Tangible Assets
io
3.324
6,649
3,324
6,649
CURRENT ASSETS
Cash at bank and in hand
1,216
996
1.216
996
Credltors: Amounts Falllng Du¢ Wlthln One Y¢•r
li
11,268 1 11,113 1
NET CURRENT ASSETS ILIA8111TIESI
152 1
1117 1
TOTAL ASSETS LESS CURRENT iIABILITIES
3.272
6,532
NET AsseTS
3,272
6,532
FUNDS OF THE CHA
un￿StrICted Funds
3,272
6,532
TOTAL FUNDS
12
3.272
6,532
For the year endlng 31 october 2025 the chadtable company was entmed to exemptlon from audlt under sectlon 477 of the
Companies Act 2006 relating to small companies.
The members have not reqUI￿d the company to ol)tain an aydit in accordance with settion 476 of the Companies Acr 2006.
The trustees acknowledge their re5ponsibilitle5 for complying wrth the reoulrements of the Art with respect to accountlng
records and the preparation of aecounts.
These occcunts have been prepared in accordance with the provision5 appllcable to companies subject to the srnall cornpanies
reglrne.
On behalf of the board
M155 S F Myrie-srnith
Trustee
30th June 2026
The notes on pages 7 to 10 form part of these financial staternents.
Page 6

New Glory Ministry
Notes to the Financial Statements
For The Year Ended 31 October 2025
General Inforniation
New Glory Ministry is a company limited by guarnntee. incorpoRted tn England & Wales, registered number 13656523 and
registered chanty number 1204040 . The registered is 12 Bridge C105e, Romford, RM7 OAU.
Accountlng Pollcles
Basls of Preparatlon of Fln•nclal St•temtnts
The financial 5tstetnents have been prepared in accordance with the Chantie5 SORP IFRS 1021 Accounting and
Reporting by Charities.. Statetnent of Recotnmended Prartice applicable to charitie5 preparing their accounts in
ètcordènce with the Finantial Reporting Standard applitèble in UK and Republit of Ireland IFRS ID21 leffertlve I
January 20191 Finèntial Reporting Standard 102 Financial Rew>rting Standard applicable in the UK and Republlc
of Ireland" and the Companies Act 2006.
The tharltable campany is a Public Benefit Entity as defined by FRS 102.
Incomlny Re￿￿rt*S
Unrestricted funds are available for use at the discretion of the tnjstees in fijrtherance of the general objecthves of the
charity.
Restmcted funds are subjetted to restrictions on their expenditufe imposed by the dorvx.
Tanglble Flxed Assets and Oepreclatlon
Tangible fixed assets are measured at cost les5 accumulated depreclotioTh and any accufflulated lrnpalrrnent losses.
Depreciation 15 provi(Jed at rates calculated to V4rite off the eost of the fixed assets, less their estimated residual value,
over their expected useful live5 on the following bJses-
Plant & machinery
Flxtures & Flttin9S
25%
25%
Cash and Calh Equlvalents
Cash ond cash equivalents are basic financial assets afid intlude ca$h in hand and deposits held at call with banks,
other short-term highly liquid investments that mature in no more than thrte months fmm the date of acquisition and
are readlly convertlble to a known amount of cash with Insignificant nsk of change In value, and bank overdrafts.
Income from Don•tbons •nd Leg•¢les
2025
2024
UnrestrlLted Vnrestrlcted
fvndl
fund*
Donations and glfts
46,881
57,242
Investment Income
2025
2024
Unrestrlcted Vnrestrlcted
funds
fund5
Bank interest receivable
Net IncomellExpenditure)
The net expenditure is stated after charyingllcreditingl..
2025
2024
Depreciation of tsngible fixed as5ets- owned
3,325
3,325
Page 7

New Glory Ministry
Notes to the Financial Statements (continued)
For The Year Ended 31 October 2025
AnJly515 of expenditure
2025
ArtlvltSes
undettsken
dlrect
Support
costs
Isee note 7 1
Total
Religious octivities
15,082
35,061
50,143
2024
Activitie5
undertaken
dlrÈetty
Support
Costs
(see note 7 1
Totsl
Rellgious activitles
19.623
42,114
61,737
Support Co*ts
2025
Rellglous
ctlvltle$
Employee costs
Premises expenses
General administratlon
Depreclation
449
28,724
2,563
3,325
35,061
2024
Rell9lou#
actlvltles
Employee costs
Premlses expenses
General administration
3,107
31,884
3,798
3,325
Depreclatlon
42,114
Independent Examlner's Remuneratlon
2025
2024
Independent exarnination of the finanual ststements
1,200
1,080
Average Number ol Employees
Average number of employees during the year wès.. NIL {2024.. NIL)
Page 8

New Glory Ministry
Notes to the Financial Statements (continued)
For The Year Ended 31 October 2025
10. Tongible AsKts
Plant &
Machinery
Fixtures &
Pittings
Total
Cost
A5 at l Novernber 2024
3.267
10,032
13,299
A5 at 31 Ortober 2025
3,267
10,032
13,299
D¢pre¢l•tlon
A5 at l Novernber 2024
Provided during the period
1,634
817
5,016
2,508
6,650
3,325
As at 31 October 2025
2,451
7,524
9,975
Net Book V•lue
A5 at 31 October 2025
816
2,508
3,324
As at l Ncvernber 2024
1,633
5,016
6,649
11. Credltors: Amounts F•llln# Due Wlthln One Ye•r
2025
2024
Accrua15 and deferred income
1,268
1,113
12. Mov¢ment In Fund•
Asati
November
2024
Asat31
October
2025
Incom•
Expendltur•
Unrestrfrted fund•
General..
General unrestricted fund
6.532
46,883
150,143 1
3,272
Total funds
6.532
46,883
150,143 1
3,272
Asati
November
Asat31
October
2024
2023
Incon
Expendlture
Unrestrfeted funds
General..
General unrestrirte(J funtl
11,026
57,243
161,737 1
6,532
Total funtls
11.026
57,243
161.737 1
6,532
13. Transactions with Trustees
None of the trustÈÉs receiveé any remunewation or any other beneffts from an employment wth the charty or a related entity
during the current or previous year.
Page 9

New Glory Ministry
Notes to the Financial Statements (continued)
For The Year Ended 31 October 2025
No trustee expenses have been incurred.
14. Related Party Disdosures
There have been no relèted party transacti¢)ns in the ￿￿)rtIng perithl that requirÈ disck)sure.
15. Company limited by guarantee
The company Is limlted by guarantee and has no share capital.
Every mernber of the cornpany undertake5 to contribute to the assets of the company. in the event of a winding up. such an
amount as may be required not exceeding £1.
Page 10

New Glory Ministry
Detailed Ststernent of Financial Activities (including Income and Expenditure Account)
For The Year Ended 31 October 2025
2025
2024
Total
funds
Total
funds
INCOME AND EP400WMEP4TS FROM:
Donatlons and legacles
Donations and gifts
46,881
57,242
46,881
57,242
Investments
Bank interest receivable
46,883
57,243
EXPENDITURE ON:
Charltable Actl¥ltl•s:
Rellglous •¢tlvltle•
Direct Project Costs
Health and safety costs
Travel and subslstence exper
Rent
Llght ènd heat
Repalrs and rnalntenance
Cleaning
Equipment Expense5
Computer software costs
Prlntlngi Postage and stationery
Advertlslng and rnarketlng costs
Telephone and Jnternet costs
Independent exarniner's fees
Flling fees
Bank charges
Depreciation of plant and machinery
Depreclatlon of fixtures and flttlngs
115,0821
119,6231
14741
12,6331
128,8001
11,8301
17501
15041
11,3671
12571
11911
11091
16401
11,0801
1341
11201
18171
12,5081
14491
127,1501
11,0481
15261
1861
11761
19651
11,2001
1341
11021
18171
12,5081
150.1431
161,7371
150,1431
161,7371
NET EXPENDrruRE
13.2601
14,4941
Page 11